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Ukončeno v akademickém roce 2018/2019

Financial Markets II. A

Type of study Follow-up Master
Language of instruction English
Code 154-0537/01
Abbreviation FM II.A
Course title Financial Markets II. A
Credits 4
Coordinating department Department of Finance
Course coordinator Ing. Kateřina Kořená, Ph.D.

Osnova předmětu

Fundamental analysis I.-II.
Technical analysis
Financial market indicators
Psychological analysis
Portfolio theory
Derivatives
Option strategies
Czech capital market
Regulation of the Czech capital market
Global financial markets
Contemporary situation in the global financial markets

Povinná literatura

BODIE, Z., KANE, A., MARCUS, A. J. Investments. 12th ed. New York: McGraw Hill, 2021. ISBN 978-1260571158 .
LAOPODIS, N. Understanding investments: theories and strategies. 2nd ed. London: Routledge, 2021. ISBN 978-1000074741 .
REILLY, F. K., BROWN, K. C., LEEDS, S. J. Investment analysis and portfolio management. 11th ed. Boston: Cengage, 2019. ISBN 978-1305262997.

Doporučená literatura

FABOZZI, F. J., FABOZZI, F. A. Bond markets, analysis, and strategies. 10th ed. The MIT Press, 2021. Always learning. ISBN 978-0253337535 .
HULL, J. C. Options, futures, and other derivatives. 11th ed.. Harlow, England: Pearson, 2022. ISBN 978-1292410654.
MADURA, J. Financial markets and institutions. 13th ed. Mason: South-Western Cengage Learning, 2021. ISBN 978-0357130797 .